(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -56.78%8.66M | -83.08%9.2M | -83.68%12.15M | -82.39%16.05M | -82.39%16.05M | -79.33%20.04M | -48.37%54.34M | -50.76%74.42M | -20.46%91.14M | -20.46%91.14M |
-Cash and cash equivalents | 17.85%4.58M | -43.36%2.74M | -42.01%2.76M | -44.90%4.1M | -44.90%4.1M | -45.20%3.89M | -38.09%4.84M | -90.43%4.77M | 261.13%7.43M | 261.13%7.43M |
-Short-term investments | -74.75%4.08M | -86.96%6.46M | -86.53%9.38M | -85.72%11.95M | -85.72%11.95M | -82.03%16.15M | -49.20%49.5M | -31.24%69.65M | -25.61%83.71M | -25.61%83.71M |
Receivables | -30.70%27.62M | -19.67%28.38M | -27.56%27.29M | -11.99%40.32M | -11.99%40.32M | -3.85%39.85M | -11.10%35.33M | 582.90%37.67M | 363.90%45.82M | 363.90%45.82M |
-Accounts receivable | -0.92%11.89M | 52.05%12.66M | 28.96%13.39M | 16.16%18.07M | 16.16%18.07M | 28.69%12M | -12.41%8.33M | 199.80%10.38M | 103.85%15.56M | 103.85%15.56M |
-Notes receivable | 1.38%1.47M | -6.59%1.39M | -51.55%1.4M | -49.54%1.44M | -49.54%1.44M | -46.16%1.45M | 5.84%1.49M | 110.16%2.9M | 122.88%2.84M | 122.88%2.84M |
-Taxes receivable | -50.54%12.93M | -44.36%13.96M | -49.18%11.96M | -21.10%20.71M | -21.10%20.71M | -0.79%26.14M | -3.09%25.09M | --23.52M | --26.26M | --26.26M |
-Other receivables | 412.36%1.33M | -12.62%367K | -37.90%539K | -91.14%103K | -91.14%103K | -91.58%259K | -85.68%420K | 28.59%868K | 19.92%1.16M | 19.92%1.16M |
Other current assets | -41.10%900K | -35.97%1.25M | -27.79%1.58M | -71.18%740K | -71.18%740K | -70.29%1.53M | -63.57%1.95M | -53.08%2.19M | -31.06%2.57M | -31.06%2.57M |
Total current assets | -39.47%37.18M | -57.62%38.82M | -64.11%41.01M | -59.07%57.11M | -59.07%57.11M | -57.22%61.42M | -39.06%91.61M | -30.45%114.27M | 2.45%139.53M | 2.45%139.53M |
Non current assets | ||||||||||
Net PPE | -21.67%9.05M | -26.87%9.42M | -25.78%10.01M | -18.30%10.82M | -18.30%10.82M | -12.53%11.55M | -11.61%12.89M | 325.35%13.49M | 309.52%13.24M | 309.52%13.24M |
-Gross PPE | 43.15%17.44M | 29.23%17.39M | 24.65%17.4M | 1.32%17.4M | 1.32%17.4M | -21.59%12.18M | -16.94%13.46M | 246.38%13.96M | 333.39%17.17M | 333.39%17.17M |
-Accumulated depreciation | -1,225.59%-8.39M | -1,292.83%-7.97M | -1,468.79%-7.39M | -67.51%-6.58M | -67.51%-6.58M | 72.87%-633K | 64.76%-572K | 45.17%-471K | -439.42%-3.93M | -439.42%-3.93M |
Goodwill and other intangible assets | -49.97%22.98M | -56.87%23.02M | -55.65%23.5M | -65.51%24.29M | -65.51%24.29M | -45.64%45.94M | -40.22%53.37M | 62.51%52.99M | 152.41%70.42M | 152.41%70.42M |
-Goodwill | ---- | ---- | ---- | --0 | --0 | -42.46%20.57M | -43.21%20.85M | 28.97%20.52M | 119.83%33.47M | 119.83%33.47M |
-Other intangible assets | -9.40%22.98M | -29.21%23.02M | -27.62%23.5M | -34.26%24.29M | -34.26%24.29M | -47.97%25.37M | -38.14%32.52M | 94.48%32.47M | 191.54%36.95M | 191.54%36.95M |
Investments and advances | 4.79%17.97M | -11.78%17.62M | 19.29%18.68M | 17.52%19.09M | 17.52%19.09M | 37.37%17.14M | 11.93%19.97M | -15.50%15.66M | 142.67%16.25M | 142.67%16.25M |
Other non current assets | 0.81%124K | -18.00%123K | -17.45%123K | -15.54%125K | -15.54%125K | -50.20%123K | -53.13%150K | --149K | 114.49%148K | 114.49%148K |
Total non current assets | -32.95%50.12M | -41.90%50.18M | -36.42%52.32M | -45.71%54.33M | -45.71%54.33M | -32.31%74.75M | -29.21%86.37M | 51.32%82.29M | 164.02%100.06M | 164.02%100.06M |
Total assets | -35.89%87.3M | -49.99%89M | -52.52%93.33M | -53.49%111.44M | -53.49%111.44M | -46.39%136.17M | -34.65%177.98M | -10.11%196.56M | 37.63%239.59M | 37.63%239.59M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 13.23%13.24M | 39.47%11.8M | 66.91%13.68M | 30.40%18.78M | 30.40%18.78M | 43.69%11.69M | -4.42%8.46M | 8.66%8.19M | 48.59%14.4M | 48.59%14.4M |
-accounts payable | 25.37%12.04M | 64.61%10.27M | 114.21%12M | 47.46%16.86M | 47.46%16.86M | 97.86%9.61M | 45.73%6.24M | 7.65%5.6M | 59.01%11.44M | 59.01%11.44M |
-Due to related parties current | -93.10%4K | -87.27%7K | --1K | 50.00%3K | 50.00%3K | 56.76%58K | --55K | --0 | -96.83%2K | -96.83%2K |
-Other payable | -41.33%1.19M | -29.61%1.53M | -35.39%1.67M | -35.41%1.92M | -35.41%1.92M | -37.56%2.03M | -52.57%2.17M | 11.49%2.59M | 21.62%2.97M | 21.62%2.97M |
Current accrued expenses | -6.40%2.84M | -21.04%3.01M | 1.26%3.93M | -22.55%2.62M | -22.55%2.62M | -29.22%3.03M | -0.55%3.81M | 116.59%3.88M | 153.30%3.38M | 153.30%3.38M |
Current debt and capital lease obligation | -55.22%12.44M | -74.01%13.69M | -81.59%13.27M | -74.72%21.05M | -74.72%21.05M | -67.92%27.79M | -38.75%52.66M | 23.39%72.05M | 1,079.96%83.26M | 1,079.96%83.26M |
-Current debt | -59.42%10.4M | -77.42%11.33M | -83.83%11.23M | -76.47%19.02M | -76.47%19.02M | -69.39%25.63M | -39.48%50.16M | 20.23%69.47M | 1,164.60%80.83M | 1,164.60%80.83M |
-Current capital lease obligation | -5.33%2.04M | -5.63%2.36M | -21.29%2.03M | -16.37%2.03M | -16.37%2.03M | -24.70%2.16M | -19.21%2.5M | 322.06%2.58M | 265.21%2.43M | 265.21%2.43M |
Current deferred liabilities | 86.92%5.02M | -3.58%4.79M | -40.44%3.76M | -65.50%3.13M | -65.50%3.13M | -75.14%2.68M | -62.89%4.97M | 1,611.65%6.32M | 1,998.38%9.07M | 1,998.38%9.07M |
Other current liabilities | -96.19%168K | -95.88%300K | -19.69%257K | -92.15%63K | -92.15%63K | 225.65%4.41M | 961.37%7.28M | -60.69%320K | -69.30%803K | -69.30%803K |
Current liabilities | -32.06%33.7M | -56.48%33.59M | -61.56%34.89M | -58.85%45.64M | -58.85%45.64M | -55.39%49.6M | -31.54%77.19M | 31.71%90.76M | 424.86%110.91M | 424.86%110.91M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -25.19%6.02M | -30.11%6.28M | -24.28%7.15M | -15.92%7.66M | -15.92%7.66M | -6.68%8.05M | -6.19%8.99M | 277.31%9.44M | 270.53%9.12M | 270.53%9.12M |
-Long term capital lease obligation | -25.19%6.02M | -30.11%6.28M | -24.28%7.15M | -15.92%7.66M | -15.92%7.66M | -6.68%8.05M | -6.19%8.99M | 289.44%9.44M | 270.53%9.12M | 270.53%9.12M |
Non current deferred liabilities | 33.10%4.77M | 41.53%4.77M | 18.19%4.82M | -15.40%4.86M | -15.40%4.86M | 6.44%3.59M | -26.18%3.37M | 17.00%4.07M | 64.40%5.74M | 64.40%5.74M |
Other non current liabilities | -99.25%7K | -99.14%8K | -99.47%5K | -98.53%14K | -98.53%14K | -60.58%931K | -60.74%928K | -30.41%936K | -59.44%952K | -59.44%952K |
Total non current liabilities | -14.04%10.8M | -16.77%11.06M | -17.18%11.97M | -20.70%12.54M | -20.70%12.54M | -12.47%12.56M | -19.53%13.28M | 75.09%14.45M | 90.48%15.81M | 90.48%15.81M |
Total liabilities | -28.42%44.5M | -50.65%44.65M | -55.47%46.86M | -54.09%58.18M | -54.09%58.18M | -50.48%62.16M | -30.01%90.47M | 36.35%105.21M | 330.57%126.72M | 330.57%126.72M |
Shareholders'equity | ||||||||||
Share capital | -88.60%40K | 1.42%356K | 10.00%352K | 10.34%352K | 10.34%352K | 10.38%351K | 10.73%351K | 5.26%320K | 5.28%319K | 5.28%319K |
-common stock | -88.60%40K | 1.42%356K | 10.00%352K | 10.34%352K | 10.34%352K | 10.38%351K | 10.73%351K | 5.26%320K | 5.28%319K | 5.28%319K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -5.25%-733.52M | -7.34%-731.46M | -8.91%-725.59M | -12.02%-718.55M | -12.02%-718.55M | -11.52%-696.91M | -11.03%-681.44M | -10.96%-666.21M | -7.65%-641.44M | -7.65%-641.44M |
Paid-in capital | 0.59%778.44M | 0.58%777.88M | 1.44%774.29M | 1.52%773.99M | 1.52%773.99M | 1.48%773.89M | 1.53%773.38M | 2.56%763.33M | 3.10%762.42M | 3.10%762.42M |
Less: Treasury stock | 7.96%339K | 11.15%339K | 13.38%339K | 16.90%339K | 16.90%339K | 10,366.67%314K | --305K | --299K | --290K | --290K |
Gains losses not affecting retained earnings | 28.28%-3.38M | 40.51%-3.7M | 48.30%-3.91M | 60.88%-3.88M | 60.88%-3.88M | 58.77%-4.71M | 12.83%-6.22M | -64.06%-7.56M | -712.86%-9.93M | -712.86%-9.93M |
Total stockholders'equity | -42.96%41.24M | -50.17%42.74M | -49.99%44.8M | -53.57%51.57M | -53.57%51.57M | -42.89%72.3M | -39.26%85.77M | -35.83%89.59M | -22.17%111.08M | -22.17%111.08M |
Noncontrolling interests | -8.73%1.56M | -6.94%1.62M | -4.95%1.67M | -5.53%1.69M | -5.53%1.69M | -8.37%1.71M | -7.58%1.74M | -7.08%1.76M | -6.96%1.79M | -6.96%1.79M |
Total equity | -42.17%42.8M | -49.31%44.36M | -49.12%46.47M | -52.81%53.26M | -52.81%53.26M | -42.39%74.01M | -38.84%87.51M | -35.45%91.35M | -21.97%112.87M | -21.97%112.87M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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